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groww multi cap fund direct growth
Groww Multi Cap Fund Direct Growth

Groww Multi Cap Fund Direct Growth

  • Moderately High risk
  • Equity
  • Multi-Cap
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i
Price per unit of the scheme.
0.0000-%1 Day Change
-%
Minimum Investment₹500
Expense Ratio--

FUND RATING

A holistic measure of the rank of a fund relative to its peers. Top funds receive a score of 5.

RISK-O-METER

Level of risk associated with a mutual fund to help investors make informed investment decisions
 

bt_logoFUND PERFORMANCE

As On Jan 01, 2023
Compare fund’s performance against category average across different time periods


No Data Found.
Returns <= 1 year are absolute and > 1 year are annualised (CAGR)
For calculating Category Return & Scheme Ranking, only Growth & Direct schemes are considered.

bt_logoFUND COMPARISON

This Fund
Groww Multi Cap Fund Direct Growth
VS
Equity: Multi-Cap Average NAV
    Topper in Equity: Multi-Cap
    All Fund


    No Data Found.
    *For the other fund, rescaled NAVs are used
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    bt_logoRETURN CALCULATOR

    Check the return on your investment in the fund
    Groww Multi Cap Fund Direct Growth
    Investment Type
    Monthly Investment
    Time Period (yrs)
    Annual Return in %
    • Invested Amount
      0
    • Return
      0
    • Current Value
      0

    bt_logoFUND MANAGER

    Veekesh Gandhi
    Veekesh Gandhi
    i
    Lead Fund Manager.
    Mar 19, 2020 - Present
    • Fund Manager Rank--Out of 14
      i
      Rank measured on the basis of consistent alpha the fund manager delivered in the same category over a period of three years (factors only Direct plan, Growth option)
    • Schemes managed1
    • Total AUM--
    • Highest Return In 1 Yr--
    Other Funds
    • table
    • card
    1M
    3M
    6M
    1Y
    3Y
    5Y
    Fund NameMorningstar RatingNAVFund ReturnCategory ReturnRiskFund Size
    --
    --
    -%
    2.46%
    Moderately High risk
    0.00Cr
    Groww Multi Cap Fund Direct Growth
    Moderately High risk--
    • NAV--
    • Fund Size0.00Cr
    Fund Return--
    Category Return2.46%
    Returns <= 1 year are absolute and > 1 year are annualised (CAGR)
    Vikrant Mehta
    Vikrant Mehta
    i
    Lead Fund Manager.
    Mar 19, 2020 - Present
    • Schemes managed9
    • Total AUM770.15 Cr
    • Highest Return In 1 Yr11.57 %
    Other Funds
    • table
    • card
    1M
    3M
    6M
    1Y
    3Y
    5Y
    Fund NameMorningstar RatingNAVFund ReturnCategory ReturnRiskFund Size
    ₹ 15.57
    3.50%
    2.21%
    Very High Risk
    382.77Cr
    --
    --
    -%
    2.46%
    Moderately High risk
    0.00Cr
    --
    ₹ 13.15
    1.02%
    1.25%
    Low to Moderate Risk
    39.64Cr
    ITI Balanced Advantage Fund Direct Growth
    Very High Risk
    • NAV₹ 15.57
    • Fund Size382.77Cr
    Fund Return3.50%
    Category Return2.21%
    Groww Multi Cap Fund Direct Growth
    Moderately High risk--
    • NAV--
    • Fund Size0.00Cr
    Fund Return--
    Category Return2.46%
    ITI Dynamic Bond Fund Direct Growth
    Low to Moderate Risk--
    • NAV₹ 13.15
    • Fund Size39.64Cr
    Fund Return1.02%
    Category Return1.25%
    Returns <= 1 year are absolute and > 1 year are annualised (CAGR)

    bt_logoDETAILED PORTFOLIO

    As on Invalid date
    EQUITY (-%)
    DEBT (-%)
    CASH (-%)
    Allocation by Market Cap

    No Data For Allocation

    Industry Holdings
    No Data For Allocation
    Stock Holdings
    No Data For Allocation

    bt_logoPERFORMANCE MEASURES

    Fund evaluation across critical parameters for better decision making. Study period is 3 years.
    • Consistency
      i
      It represents the consistency of a fund in beating its benchmark.
      ----
    • Downside Risk
      i
      Measured by Maximum Drawdown which shows the maximum loss from a peak to a nadir over a specified time period
      ----
    • Risk Adjusted Return
      i
      Risk adjusted return represents the return generated after factoring the risk taken to achieve it.
      ----
    • Volatility
      i
      Volatility represents the standard deviation of fund returns that is, how much the fund returns have deviated from the average.
      ----
    • Upside Capture Ratio
      i
      Fund performance relative to the index when the market is up. An upside capture ratio of >100 indicates better fund performance.
      ----
    • Downside Capture Ratio
      i
      Fund performance relative to the index when the market is down. A downside capture ratio of <100 indicates better fund performance.
      ----

    bt_logoHISTORICAL RISK MEASURES

    Statistical measures to evaluate mutual fund risk. All ratios are calculated for a three-year time duration.
    • Alpha: Excess return of the fund over benchmark
      i
      Any Alpha above zero is considered good. However, for comparison, a fund with a higher Alpha is considered better. Alpha is normally used in conjunction with Beta. If the Beta is high, it implies that the fund manager took a high risk to generate Alpha.
      --
      This Fund
      VS
      2.80
      Category Avg
    • R-Squared: How well the fund tracks benchmark
      i
      R-Squared measures the correlation of fund returns and its benchmark returns. It varies between 0 and 1. The metric, Beta makes no sense if R-Squared is equal to zero. Thus, both Beta and R-Squared should be used in conjunction. A fund with a high R-Squared and low Beta is considered a less risky fund.
      --
      This Fund
      VS
      90.47
      Category Avg
    • Beta: Risk of the fund in relation to benchmark
      i
      Beta >1 indicates that the fund is more volatile than its benchmark while Beta < 1 indicates that the fund is less volatile than its benchmark. The Beta of the benchmark is equal to 1.
      --
      This Fund
      VS
      0.98
      Category Avg
    • Sharpe Ratio: Risk adjusted return of the fund
      i
      Sharpe Ratio is a measure of return per unit of risk. A higher Sharpe ratio indicates better risk adjusted return given by the fund.
      --
      This Fund
      VS
      0.75
      Category Avg
    • Sortino Ratio: Return per unit of bad risk
      i
      A variation of Sharpe ratio, Sortino considers only the downside risk. Unlike Sharpe ratio which considers both good risk and bad risk, Sortino factors only the bad risk. A high Sortino ratio indicates better return for each unit of downside risk.
      --
      This Fund
      VS
      1.24
      Category Avg
    • Standard Devation: Volatility of the fund
      i
      Standard deviation is a measure of dispersion of fund returns from its average return. A fund with a higher Standard deviation is more volatile than a fund with a low standard deviation.
      --
      This Fund
      VS
      15.31
      Category Avg
    Benchmark used in calculation : S&P BSE 500 India TR INR

    bt_logoPEER ANALYSIS

    1M
    3M
    6M
    1Y
    3Y
    5Y
    • card
    • table
    Fund NameMorningstar RatingNAV Fund Return Category ReturnRisk Fund Size
    Returns <= 1 year are absolute and > 1 year are annualised (CAGR)

    bt_logoTOP FUNDS FROM THIS AMC

    1M
    3M
    6M
    1Y
    3Y
    5Y
    • card
    • table
    Fund NameMorningstar RatingNAV Fund Return Category Return Risk Fund Size (Cr)
    Returns <= 1 year are absolute and > 1 year are annualised (CAGR)

    bt_logoABOUT THE AMC

    company icon
    Groww Asset Management Ltd.
    Groww Asset Management Ltd. manages assets worth ₹ 1,787.49 crores. It’s current offering of mutual fund schemes includes 11 equity, 4 debt and 4 hybrid schemes.
    phone icon
    Phone
    80501 80222
    mail icon
    Email
    support@growwmf.in
    aum
    AUM
    1,787.49 Cr (
    As on Mar 31, 2025
    )
    location
    Address
    Jupiter Mills Compound Senapati Bapat Marg Mumbai,400013

    bt_logoFAQ's

    What is the category of Groww Multi Cap Fund Direct Growth ?
    The category of Groww Multi Cap Fund Direct Growth is Equity - Multi-Cap
    What is the current NAV of Groww Multi Cap Fund Direct Growth ?
    The current NAV of Groww Multi Cap Fund Direct Growth as on Invalid date is ₹-
    How safe is Groww Multi Cap Fund Direct Growth ?
    The risk level of Groww Multi Cap Fund Direct Growth is Moderately High.
    What are short term returns given by Groww Multi Cap Fund Direct Growth ?
    The return given by Groww Multi Cap Fund Direct Growth in 1 month is --, 3 months is --, 6 months is --, and 1 year is --
    What are the long term returns given by Groww Multi Cap Fund Direct Growth ?
    The return given by Groww Multi Cap Fund Direct Growth in 3 years is -- and 5 years is --.
    What is the expense ratio of Groww Multi Cap Fund Direct Growth ?
    The expense ratio of Groww Multi Cap Fund Direct Growth is --
    What is the AUM of Groww Multi Cap Fund Direct Growth ?
    The assets under Management (AUM) of Groww Multi Cap Fund Direct Growth is Rs crores.
    What is the minimum investment in Groww Multi Cap Fund Direct Growth ?
    The minimum Lumpsum investment in Groww Multi Cap Fund Direct Growth is ₹500.00 and the minimum SIP investment in Groww Multi Cap Fund Direct Growth is ₹1,500.00
    What is the asset allocation of Groww Multi Cap Fund Direct Growth?
    Groww Multi Cap Fund Direct Growth has an exposure of